Miroslav Mateev, Ph.D. is a full-time Professor in Business (Finance) at the American University in Bulgaria. Professor Mateev has more than 15 years of teaching and research experience in the area of finance and investments. He has also worked as a consultant and expert for various types of local and international projects.

This course provides students with the fundamentals of corporate finance which enables participants to understand what capital funds the business needs, how these funds are obtained, and how they are managed. At the end of the course, the student should ... [More info]

This course is intended to introduce the concepts and tools of security analysis and portfolio management. The course content covers market structure and trade execution, client characteristics and their effect on portfolio construction, the asset ... [More info]

The primary objective of this course is to prepare you to use modern finance theory to better understand how companies are valued and to make capital allocation decisions that lead to long-run value maximization for the corporation. The emphasis of the ... [More info]

This course applies the concepts and principles of corporate finance to the multinational corporation. A corporation that operates across national borders faces risks not faced by a purely domestic corporation, such as changing exchange rates and ... [More info]

Resources

This section provides you with a set of tools which can help you enhance your learning experience in the Finance Courses taught by Professor Mateev.